SPECIFIC DUTIES AND RESPONSIBILITIES
· Analyzing, Journalizing & posting transactions in to computer.
· Reconciliation of bank statement, Loan statements with the company’s record.
· Reconcile and maintain balance sheet accounts.
· Ensure that the day to day transactions are properly documented and recorded accurately, in accordance to the laid down systems and procedures.
· Assist with payroll administration.
· Assist with tax computations and returns.
· Assist with preparation of financial statements.
· Assist with preparation and coordination of the audit process.
· Assist with implementing and maintaining internal financial controls and procedures.
· Performs other related duties as required.
Qualification
Work Experience
Special Skill/ Training Required
BA Accounting
3 Years and Above
Peachtree Accounting
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